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School of Management at National Central University
Graduate Institute of Finance
--Electronic Thesis & Dissertation
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Collection Statistics
Item counts issued in 3 years: 61(8.38%)
Items With Fulltext: 728(100.00%)
Download counts of the item
Download times greater than 0: 728(100.00%)
Download times greater than 100: 688(94.51%)
Total Bitstream Download Counts: 482522(74.34%)
Last Update: 2024-07-18 02:23
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Recent Submissions
橙汁期貨謎題再探;The FCOJ Puzzle Revisited
人力資本流動及CEO固守職位 對公司現金持有的影響 -以S&P...
TOM效應在台灣股市之實證研究
產品市場競爭對公司剝削員工程度的影響;The impact of pr...
考量違約風險下的可轉債評價樹模型;Pricing Convertibl...
氣候變遷與高階經理人薪酬績效設計之關聯性;The Relationsh...
宏觀審慎政策,戰爭與衝突以及銀行表現: 來自全球銀行的證據;Macro...
通貨膨脹的解構、預期與監管;Inflation Decompositi...
台灣股市價量關係之分量迴歸研究-由因子之角度探討
解構與預測產業報酬率-多元構面降維之觀點;Factorizing fo...
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Showing items 401-425 of 728. (30 Page(s) Totally)
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Date
Title
Authors
2010-07-20
交易量週轉率之市場異常現象 ; The Turnover Anomaly
楊鴻傑
;
Hung-Chieh Yang
2010-07-19
公司治理與租賃融資關係探討 ; Corporate Governance and Lease Financing
江建宏
;
JIAN-HONG JIANG
2010-07-19
noneTwo Essays on the Usage of Financial Derivative for Commercial Banks: Evidence from European Market
蕭育仁
;
Yu-Jen Hsiao
2010-07-16
noneExploration of Jumps and Cojumps in Financial Markets
雲慕書
;
Mu-Shu Yun
2010-07-16
金融業面對氣候變遷的因應之道The; Responding Strategy to Climate Change for Financial Industry
吳政彥
;
Cheng-yen Wu
2010-07-16
52週高價策略和一般動能策略探討 ; The 52-week High and Momentum investing Revisited
單家慶
;
Chia-Ching Shan
2010-07-16
社會責任指數與環境、社會及公司治理之關聯性分析-以FTSE4Good系列指數為例 ; Relevance Analysis of Social Responsibility Index and Environmental, Social, Corporate Governance – A Case Study of FTSE4GOOD series index
楊紫涵
;
YANG -TZU
2010-07-15
企業商業模式及品牌價值創造—以宏?集團為例 ; Business Model and Brand Value Creation of The Enterprises:The Case of Acer Computer, Co.
陳盈秀
;
Ying-hsiu Chen
2010-07-14
公司治理、股票市場自由化與股票績效之研究 ; Corporate Governance, Stock Market Liberalization and Stock Price Performances
李心錡
;
Hsin-chi Li
2010-07-13
公司治理與股價動能 ; Corporate Governance and Stock Momentum
林建宏
;
Chien-hung Lin
2010-07-12
公司治理與可轉債轉換策略 ; Corporate Governance and the Converting Strategy of Convertible Bonds
陳俞方
;
Yu-fang Chen
2010-07-10
資訊不對稱與公司特徵:市場微結構觀點 ; Asymmetric Information and Firm Characteristics: From the Viewpoint of Microstructure
蕭茹云
;
Ju-yun Hsiao
2010-07-10
壽險保單準備金之有效存續期間分析─利率風險與死亡率風險 ; Effective Duration Analyses on the Reserves for Life Insurance Policies ─ Interest Rate Risk and Mortality Risk
李冠廷
;
Kuan Ting
2010-07-09
企業商業模式及品牌價值創造—以宏達電為例 ; Business Model and Brand Value Creation of The Enterprises:A Case of HTC Corporation
莊雅晴
;
Ya-ching Chuang
2010-07-07
摩根台灣指數成分股調整對台灣股市與外資持股的影響 ; The effects of additions and deletions on foreign ownership and local market: evidence from MSCI Taiwan index
巫怡潔
;
Yi-jie Wu
2010-07-05
銀行業自由化,公司治理以及投資限制相關性之研究 ; Banking Liberalization, Corporate Governance and Financial Constraint
劉彥甫
;
Yan-Fu Liou
2010-06-29
權益連結年金保險之定價 — 考慮GARCH 效果 ; Valuation of Ratchet Equity-Indexed Annuities under GARCH Process
黃思瑋
;
Sze-wei Huang
2010-06-24
公司治理、股票市場自由化與財務限制 ; Corporate Governance、Stock Market Liberalization and Financial Constraints
康勝豪
;
Sheng-hao Kang
2010-06-23
外國機構投資人和外匯市場:以臺北外匯交易市場為例 ; Foreign Institutional Investors and Foreign Exchange Market: Evidence from Taipei Foreign Exchange Market
錢怡合
;
Yi-ho Chien
2010-06-22
承銷業務對金控子銀行後續放款之影響none
江學儀
;
Hsueh-yi Chiang
2010-06-21
金融變革下之授信行為對企業投融資決策之影響none
李思慧
;
Szu-Hui Li
2010-06-21
Modeling Long Run Risk with Macroeconomic Fundamentals
黃泰翔
;
Huang,Tai-Shiang
2010-01-29
投資型保險商品之研究: 以全球人壽「領航投資連結型保險-澳視全球六年期澳幣結構型債券」為例 none
許卉盈
;
Hui-Ying Hsu
2009-12-23
選擇權交易獲利性之分析:以交易資料為例; The Anatomy of Option Trading Profitability: Evidence from Transaction Data
羅宏民
;
Hung-Ming Lo
2009-07-09
股利發放之決定因子─以美國市場為例; Determinates of dividend payout: Evidence from U.S.
許文欣
;
Wen-Hsin Shu
Showing items 401-425 of 728. (30 Page(s) Totally)
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